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9781430265894: Data Modeling of Financial Derivatives: A Conceptual Approach

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Written in plain English and based on successful client engagements, Data Modeling of Financial Derivatives: A Conceptual Approach introduces new and veteran data modelers, financial analysts, and IT professionals to the fascinating world of financial derivatives. Covering futures, forwards, options, swaps, and forward rate agreements, finance and modeling expert Robert Mamayev shows you step-by-step how to structure and describe financial data using advanced data modeling techniques.

The book introduces IT professionals, in particular, to various financial and data modeling concepts that they may not have seen before, giving them greater proficiency in the financial language of derivatives-and greater ability to communicate with financial analysts without fear or hesitation. Such knowledge will be especially useful to those looking to pick up the necessary skills to become productive right away working in the financial sector. Financial analysts reading this book will come to grips with various data modeling concepts and therefore be in better position to explain the underlying business to their IT audience.

Data Modeling of Financial Derivatives-which presumes no advanced knowledge of derivatives or data modeling-will help you:

  • Learn the best entity-relationship modeling method out there-Barker's CASE methodology-and its application in the financial industry
  • Understand how to identify and creatively reuse data modeling patterns
  • Gain an understanding of financial derivatives and their various applications
  • Learn how to model derivatives contracts and understand the reasoning behind certain design decisions
  • Resolve derivatives data modeling complexities parsimoniously so that your clients can understand them intuitively
Packed with numerous examples, diagrams, and techniques, this book will enable you to recognize the various design patterns that you are most likely to encounter in your professional career and apply them successfully in practice. Anyone working with financial models will find it an invaluable tool and career booster.

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Über die Autorin bzw. den Autor

Robert Mamayev has over 15 years of experience in applying information technology to solve business problems. Robert has led data modeling, data warehousing, and data quality efforts in the pharmaceutical, financial, and government sectors. His passion lies in data modeling, data management strategy, and database architecture. Robert resides in New York, and when not working, enjoys travelling, reading, watching hockey, as well as spending time with his family and friends.

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9781491066218: Data Modeling of Financial Derivatives: A Conceptual Approach

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ISBN 10:  1491066210 ISBN 13:  9781491066218
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Paperback. Zustand: Very Good. Data Modeling of Financial Derivatives: A Conceptual Approach This book is in very good condition and will be shipped within 24 hours of ordering. The cover may have some limited signs of wear but the pages are clean, intact and the spine remains undamaged. This book has clearly been well maintained and looked after thus far. Money back guarantee if you are not satisfied. See all our books here, order more than 1 book and get discounted shipping. . Bestandsnummer des Verkäufers 7719-9781430265894

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Kartoniert / Broschiert. Zustand: New. Dieser Artikel ist ein Print on Demand Artikel und wird nach Ihrer Bestellung fuer Sie gedruckt. Data Modeling of Financial Derivatives: A Conceptual Approach introduces data modelers, financial analysts, and IT professionals to the fascinating world of financial derivatives. Covering futures, forwards, options, swaps, and forward rate agreeme. Bestandsnummer des Verkäufers 4151759

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Taschenbuch. Zustand: Neu. Neuware -Written in plain English and based on successful client engagements, Data Modeling of Financial Derivatives: A Conceptual Approach introduces new and veteran data modelers, financial analysts, and IT professionals to the fascinating world of financial derivatives. Covering futures, forwards, options, swaps, and forward rate agreements, finance and modeling expert Robert Mamayev shows you step-by-step how to structure and describe financial data using advanced data modeling techniques.The book introduces IT professionals, in particular, to various financial and data modeling concepts that they may not have seen before, giving them greater proficiency in the financial language of derivatives¿and greater ability to communicate with financial analysts without fear or hesitation. Such knowledge will be especially useful to those looking to pick up the necessary skills to become productive right away working in the financial sector. Financial analysts reading this book will come to grips with various data modeling concepts and therefore be in better position to explain the underlying business to their IT audience.Data Modeling of Financial Derivatives¿which presumes no advanced knowledge of derivatives or data modeling¿will help you:Learn the best entity¿relationship modeling method out there¿Barker¿s CASE methodology¿and its application in the financial industryUnderstand how to identify and creatively reuse data modeling patternsGain an understanding of financial derivatives and their various applicationsLearn how to modelderivativescontracts and understand the reasoning behind certain design decisionsResolve derivatives data modeling complexities parsimoniously so that your clients can understand them intuitivelyPacked with numerous examples, diagrams, and techniques, this book will enable you to recognize the various design patterns that you aremost likely to encounter in your professional career and apply them successfully in practice. Anyone working with financial models will find it an invaluable tool and career booster.APress in Springer Science + Business Media, Heidelberger Platz 3, 14197 Berlin 216 pp. Englisch. Bestandsnummer des Verkäufers 9781430265894

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Taschenbuch. Zustand: Neu. This item is printed on demand - it takes 3-4 days longer - Neuware -Written in plain English and based on successful client engagements, Data Modeling of Financial Derivatives: A Conceptual Approach introduces new and veteran data modelers, financial analysts, and IT professionals to the fascinating world of financial derivatives. Covering futures, forwards, options, swaps, and forward rate agreements, finance and modeling expert Robert Mamayev shows you step-by-step how to structure and describe financial data using advanced data modeling techniques. The book introduces IT professionals, in particular, to various financial and data modeling concepts that they may not have seen before, giving them greater proficiency in the financial language of derivatives-and greater ability to communicate with financial analysts without fear or hesitation. Such knowledge will be especially useful to those looking to pick up the necessary skills to become productive right away working in the financial sector. Financial analysts reading this book will come to grips with various data modeling concepts and therefore be in better position to explain the underlying business to their IT audience. Data Modeling of Financial Derivatives-which presumes no advanced knowledge of derivatives or data modeling-will help you: Learn the best entity-relationship modeling method out there-Barker's CASE methodology-and its application in the financial industry Understand how to identify and creatively reuse data modeling patterns Gain an understanding of financial derivatives and their various applications Learn how to model derivatives contracts and understand the reasoning behind certain design decisions Resolve derivatives data modeling complexities parsimoniously so that your clients can understand them intuitively Packed with numerous examples, diagrams, and techniques, this book will enable you to recognize the various design patterns that you are most likely to encounter in your professional career and apply them successfully in practice. Anyone working with financial models will find it an invaluable tool and career booster. 216 pp. Englisch. Bestandsnummer des Verkäufers 9781430265894

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Taschenbuch. Zustand: Neu. nach der Bestellung gedruckt Neuware - Printed after ordering - Written in plain English and based on successful client engagements, Data Modeling of Financial Derivatives: A Conceptual Approach introduces new and veteran data modelers, financial analysts, and IT professionals to the fascinating world of financial derivatives. Covering futures, forwards, options, swaps, and forward rate agreements, finance and modeling expert Robert Mamayev shows you step-by-step how to structure and describe financial data using advanced data modeling techniques. The book introduces IT professionals, in particular, to various financial and data modeling concepts that they may not have seen before, giving them greater proficiency in the financial language of derivatives-and greater ability to communicate with financial analysts without fear or hesitation. Such knowledge will be especially useful to those looking to pick up the necessary skills to become productive right away working in the financial sector. Financial analysts reading this book will come to grips with various data modeling concepts and therefore be in better position to explain the underlying business to their IT audience. Data Modeling of Financial Derivatives-which presumes no advanced knowledge of derivatives or data modeling-will help you: Learn the best entity-relationship modeling method out there-Barker's CASE methodology-and its application in the financial industry Understand how to identify and creatively reuse data modeling patterns Gain an understanding of financial derivatives and their various applications Learn how to model derivatives contracts and understand the reasoning behind certain design decisions Resolve derivatives data modeling complexities parsimoniously so that your clients can understand them intuitively Packed with numerous examples, diagrams, and techniques, this book will enable you to recognize the various design patterns that you aremost likely to encounter in your professional career and apply them successfully in practice. Anyone working with financial models will find it an invaluable tool and career booster. Bestandsnummer des Verkäufers 9781430265894

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